The following table shows the cash schedule of Crane Co for the first quarter of...

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Accounting

The following table shows the cash schedule of Crane Co for the first quarter of 2021:

Particulars January February March Cash sales $48500 $63000 $55900 Cash collections from previous month's sales $30700 $38500 $42000 Cash disbursements $23200 $43000 $37700

Crane has an opening cash balance of $22100 for the month of January. The budgeted ending cash balance at the end of the quarter will be

O $234500. O $515400. O $411500. O $196800.

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